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Useful Information

If you receive a bank statement, you may wish to reconcile the banked funds in SCO against your statement.
Funds will then be displayed in the Cleared column in banking.
When reconciling bank statements, deposits and payments for each day are listed as individual entries on individual rows.
This also includes any payments made online, these payments can be ‘contracted’ to give one total for the selected day.

Reconciling against a bank statement is optional in SCO, but is necessary for trip deletion at year end.


Clearing Banked Funds

Note that transactions that have been Cleared on SCO cannot subsequently be cancelled.

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  1. Click on the Banking

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  1.  tab

  2. Select Check bank statement

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  1.  at the bottom of the screen

  2. Select the relevant bank account

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  1. Click on the Contract button (the - sign) to compact a day’s online payments into one total entry for that day. Entries for a contracted date are displayed on one line and can subsequently be cleared and reconciled as one total. They will be displayed as a total amount on the Bank Statement Report
  2. Click on the Expand button (the + sign) to view each individual entry. Entries for an expanded date are displayed so that all deposits and payments appear on separate lines

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  1. This will display a list of all the transactions you have banked but not yet reconciled/cleared

  2. The online transactions will be listed individually.  Note that the last 4 digits on your bank statement reference relate to the actual date of the online payment 

  3. At the top right of the screen click Expand/Collapse* to group the online payments into daily amounts (these should match the credits on your bank statement)

  4. Tick the boxes on the right adjacent to the matched credits

  5. Check the opening and closing balances to ensure they match your bank statement

  6. Click on Save and exit, Yes

  7. Type a 

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  1. name for the bank statement, click OKYes

  2. The Bank Statement

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  1. Report is generated - this includes the online payments as one total

  2. If you wish to generate a report with the individual online payments itemised:

    1. In Check Bank Statement, select View cleared

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    1. statements at the bottom left

    2. Select the Bank

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    1. Statement at the top right of the screen

    2. Click on Export to

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    1. Excel at the bottom left

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    1. Save or Print the Excel report

  1. Generate the Income and Expenditure Summary Report to keep with the statements above ready for audit

*If you don't see the Expand/Collapse option refer to Section 4 - Configure Online Payment System Options


See also:

Banking Quick Reference Guide

View file
name2.4SCOQuickReferenceGuideBanking.pdf
pageGuides and Documentation

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